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JEL Classification: G01 - Financial Crises

Number of items at this level: 200.

Panait, Iulian and Slavescu, Ecaterina Oana (2012): Skewness in stock returns: evidence from the Bucharest stock exchange during 2000 – 2011. Published in: CKS – eBook 2012 (2012): pp. 1592-1600.

Binici, Mahir; Köksal, Bülent and Orman, Cüneyt (2012): Stock return comovement and systemic risk in the Turkish banking system. Unpublished.

Forte, Antonio and Cepparulo, Alessandra (2012): Microeconomic determinants of losses in financial institutions during the crisis. Unpublished.

Ojo, Marianne (2012): Bailouts and longer term refinancing operations (LTROs): when temporary cures generate longer term economic concerns. Unpublished.

Hsu, Sara and Li, Jianjun (2012): “Ideal” financial development and financial overaccumulation. Unpublished.

Saumitra, Bhaduri (2012): Applying approximate entropy (ApEn) to speculative bubble in the stock market. Unpublished.

Russo, Alberto (2012): From the Neoliberal crisis to a new path of development. Unpublished.

Abdurrahman, Korkmaz (2012): The transmission process of financial crises across the emerging markets: an alternative consideration. Unpublished.

Paun, Cristian (2012): Politica monetara în sistemele financiare moderne. Unpublished.

Köksal, Bülent and Orhan, Mehmet (2012): Market risk of developed and developing countries during the global financial crisis. Unpublished.

Neal, Larry and Garcia-Iglesias, Concepcion (2012): The economy of Spain in the eurozone before and after the crisis of 2008. Forthcoming in:

Okpara, Godwin Chigozie (2012): Soundness and unsoundness of banking sector in Nigeria: a discriminant analytical approach. Unpublished.

Ojo, Marianne (2012): Harmonising Basel III and the Dodd Frank Act through greater collaboration between standard setters and national supervisors. Unpublished.

Ojo, Marianne (2012): Harmonising Basel III and the Dodd Frank Act through international accounting standards: reasons why international accounting standards should serve as “thermostats”. Unpublished.

SREENILAYAM, DR JOMON MATHEW (2012): The Global Financial Crisis and its Impact on India’s External Sector. Unpublished.

Gulam Hassan, Mohamed Aslam (2012): Financial crisis - US versus Asian. Factors and policy response F. Unpublished.

Georgescu, George (2012): Impactul crizei globale asupra structurii comerţului exterior al României. Unpublished.

Sergiu, Gojinetchi (2012): 在全球金融危机阴影下的消费者权益保护 - 欧盟,摩尔多瓦共和国和中华人民共和国的消费者权益保护的未来之路的研究 -. Forthcoming in:

Hacihasanoglu, Erk; Turhan, Ibrahim M. and Soytas, Ugur (2012): Oil prices and emerging market exchange rates. Published in: The Central Bank of the Republic of Turkey Working Papers Series , Vol. 1, No. 12 (January 2012): pp. 1-26.

Kapp, Daniel and Vega, Marco (2012): Real output costs of financial crises: a loss distribution approach. Unpublished.

Carfì, David and Musolino, Francesco (2012): A coopetitive approach to financial markets stabilization and risk management. Unpublished.

Atanda, Akinwande AbdulMaliq and Idowu, Olufunmilola Fareedat (2012): Accountants in the Global Financial Crises Bail-Out: The Outlook. Forthcoming in: : pp. 1-14.

Hsu, Sara (2012): The US financial system, the great recession, and the “speculative spread”. Unpublished.

Casu, Barbara; Clare, Andrew and Saleh, Nashwa (2011): Towards a new model for early warning signals for systemic financial fragility and near crises: an application to OECD countries. Unpublished.

Ojo, Marianne (2011): Harmonising Basel III and the Dodd Frank Act. Unpublished.

Rosenthal, Dale W.R. (2011): Market structure, counterparty risk, and systemic risk. Unpublished.

Pessoa, Argentino (2011): The Euro Area sovereign debt crisis: Some implications of its systemic dimension. Unpublished.

Janda, Karel and Rausser, Gordon (2011): American and European Regulation of Over-the-Counter Derivative Securities. Unpublished.

Aliyu, Shehu Usman Rano (2011): Reactions of stock market to monetary policy shocks during the global financial crisis: the Nigerian case. Unpublished.

Russo, Alberto (2011): La crisi, le sue origini e il prossimo futuro. Unpublished.

Langkamp, Christian (2011): Counterparty credit risk management in industrial corporates. Unpublished.

Coskun, Yener (2011): Financial Engineering and Engineering of Financial Regulation. Unpublished.

Coskun, Yener and Kayacan, Murad (2011): Küresel Kriz ve Finansal Aracılarda Risk Yönetimi: Beyaz Sayfa Mı? (Global Financial Crisis and Risk Management in Financial Intermediaries: Is It White Page?). Unpublished.

Delis, Manthos D; Hasan, Iftekhar and Mylonidis, Nikolaos (2011): The risk-taking channel of monetary policy in the USA: Evidence from micro-level data. Unpublished.

Abdala Rioja, Yamile E (2011): All things considered: the interaction of the reasons for the financial crisis. Unpublished.

Ojo, Marianne (2011): Juridical and financial considerations on the public recapitalisation and rescue of financial institutions during periods of financial crises (Part II). Unpublished.

Hălăngescu, Constantin I. (2011): Oeconomicus vs. Academicus din perspectiva diacronică a relaţiei între ciclurile Kondratieff şi reformele structurale ale învăţământului superior. Unpublished.

Garita, Gus (2011): The reciprocal relationship between systemic risk and real economic activity. Unpublished.

Lenz, Rainer (2011): Get rid of banks and build up a modern financial world. Unpublished.

Ojo, Marianne (2011): The need for revised resolution regimes and supervisory arrangements. Unpublished.

Dumitriu, Ramona; Stefanescu, Razvan and Nistor, Costel (2011): Analysis of within – month effects on the Bucharest stock exchange. Published in: Proceedings of The 17th International Conference "The Knowledge-Based Organization" Sibiu, November 2011 (07. November 2011): pp. 109-116.

Punabantu, Siize (2011): How to end to the debt crisis in one month. Unpublished.

Tatom, John (2011): Predicting failure in the commercial banking industry. Unpublished.

Ojo, Marianne (2011): Basel III – responses to consultative documents, vital aspects of the consultative processes and the journey culminating in the present framework (Part 1). Published in: Banking and Financial Services Policy Report , Vol. 30, No. No 9 (September 2011): pp. 26-46.

Ojo, Marianne (2011): Addressing risk challenges in a changing financial environment: the need for greater accountability in financial regulation and risk management. Unpublished.

Muñoz, Mª Pilar; Márquez, María Dolores and Sánchez, Josep A. (2011): Contagion between United States and european markets during the recent crises. Published in: Aestimatio. The IEB International Journal of Finance No. 2 (July 2011): pp. 1-24.

Ojo, Marianne (2011): Successfully implementing major financial stability regulatory reforms: the risk weighting based controversy (Basel v Dodd Frank) and the role of national supervisors. Unpublished.

Ojo, Marianne (2011): Financial stability, new macro prudential arrangements and shadow banking: regulatory arbitrage and stringent Basel III regulations. Unpublished.

Dumitriu, Ramona and Stefanescu, Razvan (2011): Shocks on the Romanian foreign exchange market before and after the global crisis. Published in: New challenges in economics and administration : proceedings of the 3rd international conference in economics and administration : Bucharest, 2011 (03. June 2011): pp. 194-199.

ince, meltem (2011): Financial liberalization, financial development and economic growth: An empirical analysis for Turkey. Unpublished.

Estrada, Fernando (2011): Benoit Mandelbrot (1924 - 2011 ) : A Greek among Romans. Published in: History of Economic Ideas / Fabrizio Serra Editore / Pisa - Roma , Vol. XIX, No. 1 (17. April 2011): pp. 1-13.

Kumaraku, Klajdi; Naqvi, Nadeem and Rexhepi, Sara (2011): Embodied human capital unemployment. Unpublished.

Estrada, Fernando (2011): Theory of financial risk. Unpublished.

Ojo, Marianne (2011): Fair value accounting and procyclicality: mitigating regulatory and accounting policy differences through regulatory structure reforms and Enforced Self Regulation. Unpublished.

Zaman, Gheorghe and Georgescu, George (2011): Sovereign risk and debt sustainability: warning levels for Romania. Published in: Non-Linear Modelling in Economics. Beyond Standard Economics (March 2011): pp. 234-270.

Estrada, Fernando (2011): Benoit Mandelbrot (1924 - 2010): A Greek among Romans. Forthcoming in: Journal History of Economic Ideas , Vol. XIX, (February 2011): pp. 1-6.

Avadanei, Andreea (2011): Implicații ale politicii monetare unice în susținerea integrării financiare europene. Unpublished.

Popa, Diana (2011): Runda Doha: început fără sfârşit. Unpublished.

Ojo, Marianne (2011): Great expectations, predictable outcomes and the G20's response to the recent global financial crisis. Unpublished.

Abdelaal Mahmoud, Ashraf (2011): Financial Crises and Bilateral Foreign Direct Investment Flows. Unpublished.

Siregar, Reza and Lim, Vincent C.S. (2011): Living with Macro-financial Linkages: Policy Perspectives and Challenges for SEACEN Countries. Unpublished.

Ojo, Marianne (2011): A tale of three countries, dispersed ownership and greater risk taking levels by management: risk monitoring tools in bank regulation and supervision – developments since the collapse of Barings Plc (re – visited). Unpublished.

Piluso, Fabio and Amerise, Ilaria Lucrezia (2011): L’asset allocation dei fondi hedge durante la crisi finanziaria: un’analisi empirica. Unpublished.

NUCU, Anca Elena (2011): Managementul riscului de creditare: realizari actuale, analiza critica, sugestii. Unpublished.

Tran Ngoc Huy, DInh (2011): The Summarized Evaluation of The US and Latin America Corporate Governance Standards After Financial Crisis, Corporate Scandals and Manipulation. Unpublished.

LEUNG, K. Y. Charles and TANG, C. H. Edward (2011): Comparing two financial crises: the case of Hong Kong real estate markets. Unpublished.

Estrada, Fernando (2011): Financial crises, asymmetric information and argumentation. Unpublished.

Carfì, David and Musolino, Francesco (2011): Game complete analysis for financial markets stabilization. Unpublished.

DIAW, Abdou (2011): La crise financière mondiale et la finance islamique: une revue de la litérature. Unpublished.

Constantinescu , Radu (2011): Mainstream si keynesism: -două doctrine, două metode,aceleaşi idei-. Unpublished.

Constantinescu , Radu (2011): Mainstream si keynesism: -două doctrine, două metode,aceleaşi idei-. Unpublished.

Lostun, Andreea-Maria (2011): O perspectiva entropica asupra crizelor economice. Unpublished.

Mazzeu, Joao; Otuki, Thiago and Da Silva, Sergio (2011): The canonical econophysics approach to the flash crash of May 6, 2010. Published in: Applied Mathematical Sciences , Vol. 28, No. 5 (2011): pp. 1373-1389.

Turhan, Ibrahim M. and Kilinc, Zubeyir (2011): Turkey's response to the global economic crisis. Published in: Insight Turkey , Vol. 13, No. 1 (2011): pp. 37-45.

Ojo, Marianne (2010): Preparing for Basel IV : why liquidity risks still present a challenge to regulators in prudential supervision (II). Unpublished.

Ojo, Marianne (2010): Preparing for Basel IV (whilst commending Basel III) : why liquidity risks still present a challenge to regulators in prudential supervision ( Part II). Unpublished.

Ojo, Marianne (2010): Preparing for Basel IV (whilst commending Basel III) : why liquidity risks still present a challenge to regulators in prudential supervision ( Part II). Unpublished.

Ojo, Marianne (2010): Preparing for Basel IV: why liquidity risks still present a challenge to regulators in prudential supervision. Unpublished.

ULGEN, Faruk (2010): Crise systémique et régulation financière. Unpublished.

Avadanei, Anamaria (2010): Noi provocări pentru stabilitatea financiară în contextul crizei internaționale. Forthcoming in:

Sokolov, Yuri (2010): Business cycle effects on portfolio credit risk: A simple FX Adjustment for a factor model. Unpublished.

Avadanei, Andreea (2010): Analiza efectelor Zonei Unice de Plati in Euro in contextul crizei financiare internationale. Forthcoming in:

Kainth, Dr Gursharan Singh (2010): Analysis of Non-Fund Based Financial Services: Some Insights From Inida. Unpublished.

Corneil, Bruce L. and McNamara, Sue (2010): Lessons and consequences of the evolving 2007-? Credit Crunch. Published in: Aestimatio. The IEB International Journal of Finance No. 1 (December 2010): pp. 1-18.

Requeijo, Jaime (2010): The Aftermath. Published in: Aestimatio. No. 1 (December 2010): pp. 1-16.

Ojo, Marianne (2010): The role of monetary policy in matters relating to financial stability: Monetary policy responses adopted during the most recent Financial Crisis. Unpublished.

Avadanei, Anamaria (2010): Surse ale instabilitatii financiare in contextul crizei internationale. A Literature Review. Unpublished.

Sen, Chitrakalpa; Chakrabarti, Gagari and Sarkar, Amitava (2010): Asymmetric Response in Foreign Exchange Volatility under Structural Break. Unpublished.

Saltoglu, Burak and Yenilmez, Taylan (2010): Analyzing Systemic Risk with Financial Networks An Application During a Financial Crash. Unpublished.

Ojo, Marianne (2010): Central banks and different policies implemented in response to the recent Financial Crisis. Unpublished.

Avadanei, Andreea (2010): Dinamica integrarii pietelor europene de obligatiuni. Forthcoming in:

Ajello, Andrea (2010): Financial intermediation, investment dynamics and business cycle fluctuations. Unpublished.

Ulgen, Faruk (2010): Shaky emerging economies in view of the global financial crisis: the Turkish economy after three decades of liberal reforms. Unpublished.

Caprio, Gerard Jr.; D'Apice, Vincenzo; Ferri, Giovanni and Puopolo, Giovanni Walter (2010): Macro Financial Determinants of the Great Financial Crisis: Implications for Financial Regulation. Published in: Temi di Economia e Finanza , Vol. 1, No. Special Issue (21. October 2010): pp. 1-31.

Avadanei, Anamaria and Ghiba, Nicolae (2010): Evaluating and managing systemic risk in the European Union. Published in: Hradec Economic Days 2011 Proceedings Part II, Economic Development and Management of Regions , Vol. ISBN 978-80-7435-101-3, (02. February 2011): pp. 22-26.

Ojo, Marianne (2010): BASEL III – Responses to consultative documents, vital aspects of the consultative processes and the journey culminating in the present framework. Published in: Bank for International Settlements Publications

Ojo, Marianne (2010): Redefining a role for central banks: The increased importance of central banks’ roles in the management of liquidity risks and macro prudential supervision in the aftermath of the Financial Crisis. Unpublished.

Strachman, Eduardo and Fucidji, José Ricardo (2010): The Current Financial and Economic Crisis: Empirical and Methodological Issues. Unpublished.

Punabantu, Siize (2010): Market Myths in Contemporary Economics. Published in:

Russo, Alberto and Zanini, Adelino (2010): On the expansion of finance and financialisation. Unpublished.

Skardziukas, Domantas (2010): Practical approach to estimating cost of capital. Unpublished.

Ojo, Marianne (2010): BASEL III: responses to consultative documents, vital aspects of the consultative processes and the journey culminating in the present framework (Part 1). Published in: Bank for International Settlements Publications and September - October 2011 issue of the Banking and Financial Services Policy Report.

Tatom, John (2010): Crises and the recent recession. Unpublished.

Metzger, Martina and Taube, Günther (2010): The rise of emerging markets' financial market architecture: constituting new roles in the global financial goverancen. Unpublished.

Ojo, Marianne (2010): Basel III and responding to the recent Financial Crisis: progress made by the Basel Committee in relation to the need for increased bank capital and increased quality of loss absorbing capital. Unpublished.

Delis, Manthos D and Mylonidis, Nikolaos (2010): The chicken or the egg? A note on the dynamic interrelation between government bond spreads and credit default swaps. Unpublished.

Coskun, Yener (2010): Global Financial Crisis and Mortgage Finance and Valuation Problems: An Assesment of the US and Turkish Mortgage Systems. Published in: TMMOB Harita ve Kadastro Muhendisleri Odası Odası Istanbul Subesi Yayını (15. September 2010): pp. 223-249.

Insel, Aysu and Korkmaz, Abdurrahman (2010): The contagion effect: evidences from former Soviet Economies in Eastern Europe. Unpublished.

Ojo, Marianne (2010): Measures aimed at enhancing the loss absorbency of regulatory capital at the point of non viability. Published in: Bank for International Settlements (BIS) Publications (01. October 2010)

Ojo, Marianne (2010): The role of the IASB and auditing standards in the aftermath of the 2008/2009 Financial Crisis. Published in: European Law Journal , Vol. 16, No. 5 (September 2010): pp. 604-623.

Ojo, Marianne (2010): Measures aimed at mitigating pro cyclical effects of the Capital Requirements Framework: counter cyclical capital buffer proposals. Published in: Bank for International Settlements (BIS) Publications No. September 12 2010

Shipman, Arthur F. (2010): Austeria. Unpublished.

Ojo, Marianne (2010): Social rights and economic objectives: The importance of competition at supra national level. Unpublished.

Ojo, Marianne (2010): Social rights and economic objectives: The importance of competition at supra national level. Unpublished.

Ojo, Marianne and Rodríguez-Miguez, Jose (2010): Juridical and financial considerations on the public re capitalisation and rescue of financial institutions during periods of financial crises (Part I). Unpublished.

Ojo, Marianne and Rodríguez-Miguez, Jose (2010): Juridical and financial considerations on the public re capitalisation and rescue of financial institutions during periods of financial crises (Part I). Unpublished.

Estrada, Fernando (2010): Theory of argumentation in financial markets. Published in: Journal of Advanced Studies in Finance , Vol. Volume I Summer 2010, No. Issue I (1) (16. July 2010): pp. 18-23.

Erber, Georg (2010): The Problem of Money Illusion in Economics. Unpublished.

Xiao, Qin (2010): Systemic Stability of Housing and Mortgage Market: A state-dependent four-phase model. Unpublished.

Ojo, Marianne (2010): The role of central banks and competition policies in the rescue and recapitalisation of financial institutions during (and in the aftermath of) the Financial Crisis. Unpublished.

Ojo, Marianne and Rodriguez-Miguez, Jose (2010): Juridical and financial considerations on the public re capitalisation and rescue of financial institutions during periods of financial crises. Unpublished.

Campbell, Gareth (2010): Bubbles and Leverage. Unpublished.

Campbell, Gareth (2010): Bubbling Dividends. Unpublished.

Coskun, Yener (2010): Global Financial Crisis, Problems in Official Discipline and Designing Optimal Official Discipline Framework (Küresel Kriz, Resmi Disiplin Sorunları ve Optimal Resmi Disiplin Sisteminin Tasarımı). Published in: Kocaeli Barosu Dergisi No. 2 : pp. 37-47.

Schuetz, Sebastian Alexander (2010): Structured Finance Influence on Financial Market Stability – Evaluation of Current Regulatory Developments. Unpublished.

Ruiz-Porras, Antonio (2010): Globalización, ciclos económicos y crisis global, 2007-2010. Forthcoming in: Expresion Economica

Ojo, Marianne (2010): Liquidity assistance and the provision of state aid to financial institutions. Published in: Journal of Advanced Research in Law and Economics , Vol. 1, No. Issue 2(2) (December 2010): pp. 137-157.

Turhan, Ibrahim M. (2010): Beyond the global financial crisis: central banking in a new global financial system. Unpublished.

Sircar, Jyotirmoy (2010): India’s Increased International Integration and the Financial Crisis: Has India Become More Prone to External Shocks? Unpublished.

Beja, Edsel Jr. (2010): Post crisis blues. Unpublished.

Nikolov, Pavel (2010): Procyclical Effects of the banking System during the financial and economic Crisis 2007-2009: the Case of Europe. Unpublished.

Nikolov, Pavel (2010): Procyclical Effects of the banking System during the financial and economic Crisis 2007-2009: the Case of Europe. Unpublished.

Honohan, Patrick; Donovan, Donal; Gorecki, Paul and Mottiar, Rafique (2010): The Irish Banking Crisis: Regulatory and Financial Stability Policy. Unpublished.

Courtney, Samuel (2010): 2008 SEC short selling ban: impacts on the credit default swap market. Unpublished.

Courtney, Samuel (2010): 2008 SEC short selling ban: impacts on the credit default swap market. Unpublished.

Bojańczyk, Mirosław (2010): The ineffectiveness of state as a controller and owner. Unpublished.

Petrushchak, Bohdan (2010): Валютна криза в Україні в контексті сучасних моделей фінансових криз. Published in: Materials of International Graduate and Post-Graduate Students Scientific Conference: "World Economic Crisis: Causes, Consequences and Prospects for Overcoming" (14. May 2010): pp. 429-430.

Niang, Abdou-Aziz; Diagne, Abdoulaye and Pichery, Marie-Claude (2010): Exploring the finance-real economy link in U.S.: Empirical evidence from Panel Unit Root and Cointegration Analysis. Unpublished.

Campbell, Gareth (2010): Cross-Section of a ‘Bubble’: Stock Prices and Dividends during the British Railway Mania. Unpublished.

Ojo, Marianne (2010): Risk monitoring tools in bank regulation and supervision – developments since the collapse of Barings Plc. Unpublished.

Sinha, Pankaj and Sinha, Gyanesh (2010): Volatility Spillover in India, USA and Japan Investigation of Recession Effects. Unpublished.

Avadanei, Andreea (2010): Perspectives on Single Euro Payments Area adoption in the light of the financial crisis. Published in: Politici financiare de relansare in conditiile crizei economice mondiale , Vol. ISBN 978-9975-9956-3-4, (29. April 2010): pp. 90-95.

Estrada, Fernando (2010): Fragments on the black swan: money, credit and finance in The Arcades Project of Walter Benjamin. Unpublished.

Campbell, Gareth and Turner, John (2010): ‘The Greatest Bubble in History’: Stock Prices during the British Railway Mania. Unpublished.

Russo, Alberto (2010): Elementi di novità, meccanismi noti e cause di fondo della recente crisi. Unpublished.

Kaizoji, Taisei (2010): Carry Trade, Forward Premium Puzzle and Currency Crisis. Unpublished.

Skardziukas, Domantas (2010): Asymmetric information: the multiplier effect of financial instability. Unpublished.

Spruk, Rok (2010): Iceland's Economic and Financial Crisis: Causes, Consequences and Implications. Published in: EEI Policy Paper , Vol. 1, No. 2010 (23. February 2010)

Hasan, Zubair (2010): Islamic finance: what does it change, what it does not - the structure - objectives mismatch and its consequences. Unpublished.

Freire González, Paulo Alejandro; Vivar Aguilar, Mayra Isabel and Maldonado, Diego (2010): Un nuevo enfoque para el análisis y calificación del Sistema Cooperativo Ecuatoriano. Published in: Notas Tecnicas , Vol. 1, No. 1 (17. March 2010): pp. 1-58.

Costa Cabral, Nazare (2010): Breve guia temático e bibliográfico sobre o estudo da actual crise financeira e económica. Unpublished.

Naqvi, Nadeem (2010): International economic theory and politics: world structure before, during and after the early 21st Century Crisis. Unpublished.

Kaizoji, Taisei (kaizoji@icu.ac.jp) (2010): A Behavioral Model of Bubbles and Crashes. Unpublished.

De La Motte, Laura; Czernomoriez, Janna and Clemens, Marius (2010): Zur Vertrauensökonomik: Der Interbankenmarkt in der Krise von 2007-2009. Unpublished.

Piatkowski, Marcin and Zalduendo, Juan (2010): Assessing EU-10 Banking Sector's Resilience to Credit Losses. Published in: Kwartalnik Nauk o Przedsiebiorstwie , Vol. 14, No. 2010/1 (01. January 2010): pp. 62-69.

Ojo, Marianne (2010): Extending the scope of prudential supervision: Regulatory developments during and beyond the “effective” periods of the Post BCCI and the Capital Requirements directives. Published in: Journal of Advanced Research in Law and Economics , Vol. 1, No. 1 (July 2010)

Brack, Estelle and Saidane, Dhafer (2010): Qu’attend-on de la finance mondiale après la crise ? Les quatre commandements oubliés. Published in: Revue Banque No. 720 (January 2010)

Petrushchak, Bohdan (2010): Сучасні моделі фінансових криз. Published in: Вісник Львівського національного університету імені Івана Франка , Vol. 44, No. Серія економічна (May 2010): pp. 70-80.

Davide, Furceri and Aleksandra, Zdzienicka (2010): Banking Crises and Short and Medium Term Output Losses in Developing Countries: The Role of Structural and Policy Variables. Unpublished.

Dietrich, Diemo and Hauck, Achim (2010): Government interventions in banking crises: Assessing alternative schemes in a banking model of debt overhang. Unpublished.

Estrada, Fernando (2010): Money, credit and finance in The Arcades Project. Unpublished.

D'Avino, Carmela and Lucchetta, Marcella (2010): Opacity of banks and runs with solvency. Unpublished.

Suhadolnik, Nicolas; Galimberti, Jaqueson and Da Silva, Sergio (2010): Robot traders can prevent extreme events in complex stock markets. Unpublished.

Ahmadzadeh Mashinchi, Sina (2010): The impact of the global economic crisis on non-oil operations of ports in Iran. Published in: Middle East Journal of Scientific Research (ISI Indexed) , Vol. 9, No. 5 (15. November 2011): pp. 596-601.

Mitropoulos, Atanasios and Zaidi, Rida (2009): Relative indicators of default risk among UK residential mortgages. Unpublished.

Ahrend, Rudiger; Arnold, Jens and Murtin, Fabrice (2009): Have more strictly regulated banking systems fared better during the recent financial crisis? Unpublished.

Ojo, Marianne (2009): Regulating non audit services: Towards a principles based approach to regulation. Unpublished.

Dima, Bogdan; Murgea, Aurora and Cristea, Stefana (2009): The pattern of Euronext volatility in the crisis period: an intrinsic volatility analysis. Unpublished.

Ojo, Marianne (2009): Regulating the International Audit Market and the removal of barriers to entry: The provision of non audit services by audit firms and the 2006 Statutory Audit Directive. Published in: European Public Law Journal (January 2009)

Nistor, Costel; Stefanescu, Razvan and Dumitriu, Ramona (2009): The impact of the US stock market on the Romanian stock market in the context of the financial crisis. Published in: Proceedings of the International Scientific Conference “Challenges for Analysis of the Economy, the Businesses, and Social Progress”, Szeged, November 19-21, 2009 (08. March 2010): pp. 636-655.

Výrost, Tomáš and Baumöhl, Eduard (2009): Asymmetric GARCH and the financial crisis: a preliminary study. Unpublished.

Výrost, Tomáš and Baumöhl, Eduard (2009): Asymmetric GARCH and the financial crisis: a preliminary study. Unpublished.

Safari, Meysam (2009): Dividend Yield and Stock Return in Different Economic Environment: Evidence from Malaysia. Unpublished.

Susanu, Monica; Micu, Adrian and Micu, Angela Eliza (2009): Impact of the Financial Turmoil on the Romanian Capital Market. Published in: International VII, Knowledge, Economy and Management Congress (01. November 2009): pp. 535-546.

Escaith, Hubert (2009): Trade Collapse, Trade Relapse and Global Production Networks: Supply Chains in the Great Recession. Unpublished.

Dokulilova, Lenka; Janda, Karel and Zetek, Pavel (2009): Sustainability of microfinance institutions in financial crisis. Unpublished.

Torre-Gallegos, Antonio de la and Bellini, Edith (2009): Las crisis bursátiles en España y su comparación con otros mercados internacionales: Análisis de sus principales características. Published in: UNIVERSIA BUSINESS REVIEW ISSN: 1698-5117 No. CUARTO trimestre 2009 (October 2009): pp. 44-61.

Beuran, Monica and Brack, Estelle (2009): Les banques étrangères dans les pays d’Europe Centrale et Orientale : source de vulnérabilité ou facteur de stabilisation. Published in: Revue Banque No. 717 (October 2009)

Corsi, Marcella and Guarini, Giulio (2009): Financial crises and cyclic development according to the approach of Paolo Sylos Labini. Unpublished.

Ojo, Marianne (2009): Central bank’s role and involvement in bank regulation: Lender of last resort arrangements and the Special Resolution Regime (SRR). Unpublished.

Tianxi, Wang (2009): Risk, Leverage, and Regulation of Financial Intermediaries. Unpublished.

Petrushchak, Bohdan (2009): Негативні аспекти глобалізаційного процесу на фінансову систему. Published in: Вісник Львівського університету імені Івана Франка , Vol. 42, No. Серія економічна (May 2009): pp. 108-117.

Avadanei, Andreea (2009): The impact of the Single Euro Payments Area on European corporates. Published in: Europe on the Move , Vol. ISBN 978-973-703-478-6, (09. May 2009): pp. 20-27.

Swagel, Phillip (2009): The financial crisis: an inside view. Published in: Brookings Papers on Economic Activity No. Spring 2009 (01. April 2009): pp. 1-63.

Brack, Estelle (2009): États-Unis,“soupe primitive” de la crise financière. Published in: Banque Stratégie No. 269 (April 2009): pp. 23-32.

Panetta, I. C. and Porretta, P. (2009): Il rischio di liquidità: regolamentazione e best practice. Published in: Bancaria , Vol. 3, No. March (March 2009): pp. 65-83.

Cole, Rebel A. and Wu, Qiongbing (2009): Is hazard or probit more accurate in predicting financial distress? Evidence from U.S. bank failures. Unpublished.

Melecky, Martin (2009): Macroeconomic Management, Financial Sector Development and Crisis Resilience: Some Stylized Facts from Central and Eastern Europe. Unpublished.

Skribans, Valerijs (2009): Nodokļu ieņēmumu modelēšana, izmantojot sistēmdinamikas metodi. Published in: 50th International Scientific Conference of Riga Technical University: RTU FEEM Scientific Conference on Economics and Entrepreneurship (SCEE’2009). - Conference Proceedings (2009): pp. 474-481.

Guzman, Giselle C. (2008): Using sentiment surveys to predict GDP growth and stock returns. Published in: The Making of National Economic Forecasts No. Edward Elgar Publishing LTD (2009): pp. 319-351.

Bianchi, Francesco (2008): Rare Events, Financial Crises, and the Cross-Section of Asset Returns. Unpublished.

Ari, Ali (2008): An Early Warning Signals Approach for Currency Crises: The Turkish Case. Unpublished.

Kilenthong, Weerachart and Townsend, Robert (2007): Market Based, Segregated Exchanges with Default Risk. Unpublished.

Azham, Ali; Teck Heang, Lee; Yusof, Nor Zalina and Ojo, Marianne (2007): Development of auditing in Malaysia: legal, political and historical influences. Unpublished.

Klinedinst, Mark (2007): Cooperative comebacks: resilience in the face of the Hurricane Katrina Catastrophe (New Orleans and Southern Mississippi, May 2005–May 2006). Published in: Filene Research Institute No. 2007 (2007)

Ari, Ali and Dagtekin, Rustem (2007): Early Warning Signals of the 2000/2001 Turkish Financial Crisis. Published in: International Journal of Emerging and Transition Economies , Vol. 1, No. 2 (2008): pp. 191-218.

Georgescu, George (2006): Banii şi creşterea economică mondială. Sistemul monetar internaţional este extrem de fragil. Published in: Revista Bilant No. 22-23 : pp. 68-69.

Georgescu, George (2005): Criza comerţului mondial. Published in: Revista Bilant No. 15-16 (23. December 2005): pp. 72-73.

Georgescu, George (2005): Criza organizaţiilor internaţionale. Published in: Revista Bilant No. 14 (20. November 2005): pp. 62-65.

Ghosh, Saibal (2001): Financial Stability and Public Policy: An Overview. Published in: Reserve Bank of India Occasional Papers No. 1 (January 2001): pp. 109-131.

This list was generated on Fri May 25 22:46:40 2012 CEST.
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